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Provision of prices by market makers in Exchange-traded Australian Government Bonds
Provision of prices by market makers in Exchange-traded Australian Government Bonds.
Provision of prices by market makers in exchange-traded Australian Government Bonds.
Treasury Bond maturing 15 February 2017 (ASX Code: GSBC17)
Treasury Bond maturing 15 July 2017 (ASX Code: GSBM17)
Treasury Bond maturing 21 January 2018 (ASX Code: GSBA18)
Treasury Index Bond maturing 21 November 2018 (ASX Code: GSIU18)
Treasury Bond maturing 15 March 2019 (ASX Code: GSBE19)